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    Investment Analysis and Portfolio Management Study Set 1
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    Exam 13: Bond Analysis and Portfolio Management Strategies
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    Which of the Following Would NOT Normally Be a Reason
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Which of the Following Would NOT Normally Be a Reason

Question 38

Question 38

Multiple Choice

Which of the following would NOT normally be a reason for a bond swap?


A) increasing current yield
B) improving the quality of the portfolio
C) taking advantage of interest rate shifts
D) tax savings
E) realigning the portfolio's duration

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